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Business, 31.12.2019 04:31 1230bering

If an investor is willing to bear market risk, what is the best investment strategy to exploit their acceptance of market risk? [a] the best risk management technique in this situation would be to eliminate the unsystematic risk from their portfolio.[b] the best risk management technique would be to only invest in stocks with a beta of 1.0 or less.[c] the best risk management technique would be to buy insurance policies that would cover all of the investor's losses.[d] the best risk management technique would be to invest in treasury bonds in an emergency fund as an aside to their normal portfolio.

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